On a global basis, the UK asset manager prefers fixed income to equities this year.
Tag: M&G
The FSA Spy market buzz – 30 September 2022
M&G’s new chief, BlackRock’s metaverse, NYT goes bad-ass on ESG, Ugly Asia-Pacific performance, Markets woes, Blowing up Nordstream II, Advertising and much more.
M&G tips value for long-awaited comeback
The fund manager identifies key reasons why investors should look at the current value rally as more than just a blip.
FSA People Moves (27 October – 2 November 2021)
HSBC AM’s new Apac CEO; Citi PB poaches Malaysia MD; Julius Baer re-hires veteran; Fidelity promotes PB lead; FSI elevates sales executives; M&G adds to distribution team; PGIM Real Estate appoints China head; Ex-Goldman Sachs MD advises Stashaway; Eurizon builds in Asia; New Malaysia head at Nomura AM.
Boosting returns with infrastructure stocks
Investing in infrastructure should generate reliable and growing cashflows while embracing future trends, argues M&G Investments.
M&G CIO assumes extra responsibilities in leadership reshuffle
Daniels has had responsibility for asset management sales and distribution added to his remit, according to FSA’s sister title, Portfolio Adviser.
The FSA Spy market buzz – 13 August 2021
Fidelity hires; SonicShares’s boat; ESG and active; S&P 500’s winning run; M&G on China; HKEX and identities; AMC tickets vs shares; Bitcoin uses; and much more.
HEAD-TO-HEAD: Axa versus M&G
FSA compares two fixed income products: the Axa Sterling Credit Short Duration Bond Fund and the M&G Corporate Bond Fund.
M&G to divest from coal next year
But an NGO said the new coal exit policy misses the mark.
M&G favours EM debt
Valuations of high yield emerging market sovereign and corporate bonds are still attractive despite significant spread tightening, according to the UK asset manager.